In Re Complaint as to the Conduct of Stauffer

956 P.2d 967, 327 Or. 44, 1998 Ore. LEXIS 277
CourtOregon Supreme Court
DecidedApril 9, 1998
DocketOSB 93-63; SC S43698
StatusPublished
Cited by28 cases

This text of 956 P.2d 967 (In Re Complaint as to the Conduct of Stauffer) is published on Counsel Stack Legal Research, covering Oregon Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Complaint as to the Conduct of Stauffer, 956 P.2d 967, 327 Or. 44, 1998 Ore. LEXIS 277 (Or. 1998).

Opinion

*46 PER CURIAM

In this lawyer disciplinary proceeding, the Oregon State Bar (Bar) charges that the accused violated Code of Professional Responsibility Disciplinary Rules (DR) 1-102-(A)(4) (conduct prejudicial to administration of justice), DR 5-105(C) (former client conflicts of interest), DR 5-101(A) (lawyer’s self-interest conflict of interest), DR 2-106(A) (charging clearly excessive fee), and DR 7-102(A)(2) (knowingly advancing claim unwarranted under existing law). 1 A trial panel of the Disciplinary Board found that the accused had violated DR 1-102(A)(4), DR 5-105(0, DR 5-101(A), and DR 2-106(A), but not DR 7-102(A)(2), and imposed a 120-day suspension. The matter comes before us pursuant to ORS 9.536(2) and Bar Rules of Procedure (BR) 10.1 and 10.4.

On review, the accused seeks the reversal of all findings of ethical violations. The Bar contends that the trial panel erred in finding that the accused did not violate DR 7-102(A)(2) and recommends at least a one-year suspension. This court reviews the trial panel’s decision de novo. ORS 9.536(3); BR 10.6. The Bar has the burden of establishing misconduct by clear and convincing evidence. ORS 9.536(2); BR 5.2. For the reasons that follow, we conclude that the accused violated DR 1-102(A)(4), DR 5-105(0, DR 5-101(A), DR 2-106(A), and DR 7-102(A)(2). We further conclude that the appropriate sanction is a two-year suspension.

I. FINDINGS OF FACT

We find the following facts. In 1986, John Smith, the sole owner of an insurance agency, Corbett-Smith, Inc. (CSI), died intestate. CSI became the major asset of his probate estate (the Estate). The Estate’s remaining assets consisted of personal property valued at $10,000, two jointly held cars valued at $5,000, and a one-half interest (net value $17,000) in a house owned as tenant in common with Esther Smith *47 (Smith), John Smith’s widow. In July 1987, the original inventory valued the total Estate at $132,000. Smith, the sole beneficiary of the Estate, was appointed personal representative of the Estate. Smith was 61 years old when her husband died. Lawyer Clayton Morrison represented Smith as personal representative.

Initially, the Oregon Bank filed the only claim against the Estate, in the amount of $9,291.33. Because of insufficient cash in the Estate, that claim was not discharged immediately.

In March 1987, Smith, in her capacity as personal representative of the Estate, sold CSI’s business assets to Roger and Joyce Atkins (the Atkinses) on contract for $5,000 down and monthly payments of $1,600 for four years. The Estate retained ownership of CSI’s stock. Morrison represented Smith as personal representative in the sale. After making one payment, the Atkinses defaulted on the contract.

In August 1987, Smith executed a written retainer agreement with the accused to represent her personally in connection with “[disputes with Roger and Joyce Atkins, under the AGREEMENT FOR SALE AND PURCHASE OF BUSINESS ASSETS OF CORBETT-SMITH, INC., *** dated March 6,1987.” Smith agreed to pay the accused $100 per hour and to pay him at least $150 monthly. Smith paid the accused $1,000 toward his retainer at that time. The retainer agreement specifically stated that “[Smith] is personally responsible for the payment of fees and costs incurred.” The accused billed her each month for his services. Over the course of several years, Smith paid the accused about $6,000 under the 1987 retainer agreement. In September 1987, the accused informed the Atkinses by letter that Smith had retained him to represent her in the contract dispute.

Smith and the accused thereafter orally agreed that he also would represent her in her capacity as personal representative of the Estate. See In re Phelps, 306 Or 508, 517, 760 P2d 1331 (1988) (the personal representative, not the estate or beneficiary, is the client). The accused did not advise Smith about any actual or likely conflict of interest in his representing her personally and in representing her as *48 personal representative of the Estate, nor did Smith consent to any actual or likely conflict of interest. 2

In September 1987, the accused filed a complaint on behalf of the Estate and CSI against the Atkinses for breach of contract. The accused did not seek to have a receiver appointed to protect the Estate’s and CSI’s interests in CSI’s business assets.

In November 1987, Smith resigned as personal representative of the Estate and George Birnie was appointed in her place. 3 The accused billed Smith personally for an outstanding balance of $1,494 in November 1987, $2,499 in December 1987, and $4,589 in January 1988.

By May 1988, Smith was behind in her monthly payments to the accused. The accused told Smith that he needed money to bring the Atkins case to trial. When Smith tried to borrow against the house, the bank refused, because the Estate owned a one-half interest in the property and, therefore, Smith did not have clear title. Smith then asked the accused to transfer the Estate’s interest in the house to her so that she could refinance it and use the proceeds to pay his attorney fees and to finance the upcoming Atkins litigation. The accused checked with Birnie and then prepared a personal representative’s deed conveying the Estate’s interest to Smith, which Birnie signed. 4 Neither Birnie nor the accused *49 obtained the probate court’s approval for that transfer to Smith. 5 Birnie’s 1988,1989, and 1990 interim accountings to the probate court did not disclose the transfer. The accused billed Smith personally for preparing and recording the deed. The accused requested by letter that Smith send him $1,000 “to cover trial costs.” He reminded her that she was seven months behind on her retainer agreement payments, adding “I am confident that, as you have told me, your recent re-financing of your house will provide you with adequate funds to make the above payments.” Smith then refinanced the house and paid the accused $1,400. The accused continued to represent Smith personally, as well as representing the personal representative and CSI.

Also, in May 1988, the accused wrote to Smith advising her that there was a probability that the Atkins claim could be settled. He suggested that Smith should try to create a “settlement offer” in which the Atkinses would give CSI’s business assets back to the Estate and also pay an additional sum of money to Smith, “such as the cost of [her] attorney fees.” In October 1988, the accused billed Smith personally for $24,614.

In October 1988, the accused advised Smith of a tentative settlement offer from the Atkinses. Smith rejected the offer.

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Bluebook (online)
956 P.2d 967, 327 Or. 44, 1998 Ore. LEXIS 277, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-complaint-as-to-the-conduct-of-stauffer-or-1998.